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ISBN
:
9788179924112
Publisher
:
Jaico Publishing House
Subject
:
Finance & Accounting
Binding
:
Paperback
Pages
:
204
Year
:
2006
₹
399.0
₹
303.0
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View DetailsDescription
Treasury Risk Management is very crucial in modern banking/financial institution functions the world over, especially as forces of deregulation and globalization gather momentum. Skillful risk management ensures profitability out of market-driven opportunities and this needs articulation. The Basel-II Accord seeks to place significant emphasis on this subject through its Three Pillars. All the essential aspects of treasury risk management and ALM (Asset Liability Management) functions have been covered in the book. Key Features ? A thorough and crisp analysis of market risk segments having an effect on the financial system ? ALM (Asset Liability Management) issues exhaustively dealt with latest guidelines of RBI ? According ratios on liquid risk management are explained ? RBI guidelines on market risk management are explained ? Risks in mutual fund investments are carefully dealt with, keeping in mind the increasing preferences of the small investor ? Internal audit system for market risk management is thoroughly dealt with ? Operational risk management aspects explained ? Glossary on market risk management ? Focal points of existing Basel Accord-I and Basel Accord-II presented in a tabular form ? New chapters on Principle of Internet Risk Management, Commodity Price Risk Management and New Capital Raising Window About The Author S. K. Bagchi holds a number of professional qualifications in banking finance. He obtained the all-India first rank at the Industrial Finance Examination conducted by the Indian Institute of Bankers, Mumbai. His experience of over three decades has been mostly in credit and industrial finance. He was Vice Principal and Chief Credit Faculty at All-India Staff College of Bank of Baroda. He is presently Professor, Banking and Finance at NMISM University (Narsee Monjee Institute of Management Studies), Mumbai.
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